The Future of Risk Management, Volume II : Perspectives on Financial and Corporate Strategies (2019)

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The Future of Risk Management, Volume II : Perspectives on Financial and Corporate Strategies (2019)

  • オンデマンド(OD/POD)版です。キャンセルは承れません。
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  • 製本 Paperback:紙装版/ペーパーバック版/ページ数 447 p.
  • 言語 ENG
  • 商品コード 9783030165284
  • DDC分類 658.155

Full Description

With contributions presented during the Second International Risk Management Conference, this second volume addresses important areas of risk management from a variety of angles and perspectives. The book will cover two separate tracks—financial risk management and risk management and corporate strategies—and will be of interest to academic researchers and students in risk management, banking, and finance.

Contents

Section 1. Financial Risk Management.- 1. Accessibility and Transparency of P2P Lending Platforms; Damilano, M.; De Vincentiis, P.; Isaia, E.; Rovera, C.- 2. Crowdfunding and Risk Management: Evidence from Italy; Miglietta, N., Battisti, E., Graziano, E. A.- 3. Private Equity Evaluation Under IFRS 13: Do Market and Transaction Multiples Catch Firm-Specific Risk Factors?; Palea, V.; Rainero, C.; Migliavacca, A.- 4. Non-Financial Information and Risk Disclosure: Compliance Levels with Mandatory Requirements in the Italian Market; M., Rizzato, F., Busso, D., Fiandrino, S., Cantino, V.- 5. Mutual Correlation and Interaction on Capital Markets: Evidence of Federation of Bosnia and Herzegovina; Alihodzić, A.- 6. Who uses Trade Finance? Case-Based Evidence for Italian Exporters; Baldi F., Di Mauro R., Damilano M.- 7. Patient Investors Taxonomy: A Behavioral Approach; Rainero, C.; Modarelli, G.- 8. A Nonlinear Approach to Assess the Risk Reward Ratio Using the Machine Learning Technique; Schiesari, R.; Merella, P.- Section 2: Risk Management and Corporate Strategies.- 9. Board Diversity, Risk Management and Efficiency Evaluation. Evidence from European Listed Manufacturing Companies; Alfiero, S.; Cane, M.; Doronzo, R. ; Esposito, A.- 10. An Examination of Factors Affecting Excess Liquidity, Evidence from Islamic Banks in Malaysia; Ali, M.H.; Rosly, S.A.; Radwan, M.; Secinaro, S.- 11. Going Beyond Formalisation: Effective Risk Management in a Medium Company; Britzelmaier, B.; Ossola, G.; Crovini, C.- 12. Between Climate and Social Changes: how to Struggle Against Adverse Conditions in the Coffee Industry; Candelo, E.; Casalegno C.; Büchi, G.; Cerutti, M.- 13. Direct Compensation and Risk Management: a Key Study of the Insurance Factor; Gamba, V.; Venuti, F.; Forliano C.; Rotti R.- 14. Sharing Economy Risks: Opportunities or Threats for the Insurance Companies? Case Study: Iranian Insurance Industry; Ranjbari M.; Esfandabadi Z.S., Scagnelli S.D.- 15. IntegratedCommunication for Start-Ups: Toward an Innovative Framework; Mosca, F., Bianco, S., Pescitelli, C.- 16. Food Safety and Food Defence: an Investigation of Consumers' Perception; Bonadonna A.; Peira, G.; Bollani, L; Rahimi, M.- 17. Product Risk and Life Cycle; Pellicelli, A. C.; Varese, E.; Bollani, L.

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